Nearly one-third of the investment advisers that registered with the Securities and Exchange Commission as a result of the Dodd-Frank Act manage private funds. As a result, the SEC’s examination staff has developed new strategies and processes to address the risks presented by hedge funds and other private funds.
At this program, three distinguished panels of experts will discuss the regulatory and compliance challenges facing hedge fund managers from three perspectives:
Panelists will not only provide updates on regulatory developments affecting hedge funds, but also provide practical suggestions for how in-house legal and compliance professionals can cope with the increased compliance burdens and regulatory focus.
What you will learn
Who should attend Hedge funds’ in-house and outside counsel and compliance officers, as well as legal and compliance professionals interested in or currently working in the hedge fund industry, will benefit from this program.
For more information and to register, click here.